This page was automatically translated and may contain errors. View in English.
에프

Banking Executive

Fore Holdings

Mumbai, Maharashtra, India · 정규직

가장 먼저 지원하세요

경험
어느
샐러리
월 15,000~25,000 루피
채용 공고
1
게시됨
4시간 전
작업 모드
사무실에서
재개하다
신청 시 필수 사항

당신이 일하게 될 곳

직무 설명

Key Responsibilities

This role primarily involves handling comprehensive banking operations, including processing various types of payments such as NEFT, RTGS, IMPS, UPI, and cheques. The candidate will prepare payment advice, upload payment files, monitor daily bank balances and cash flow, and manage payments to vendors, contractors, employees, and statutory bodies. Daily bank transaction reporting and coordination with banks for account maintenance and documentation are integral. Internet banking management, payment approvals, and banking record-keeping are also essential duties, along with follow-ups regarding demand drafts, bank guarantees, and loan documents.

Bank reconciliation tasks include preparing daily and monthly reconciliation statements, matching bank transactions to accounting records, identifying unresolved discrepancies, and verifying bank charges and interest entries.

Accounts and bookkeeping responsibilities cover maintaining receipts, payments, journal vouchers, contra entries, accurate ledger balances, performing ledger reviews, and assisting in monthly and yearly book closures.

Managing receivables and payables involves tracking customer collections and outstanding amounts, processing vendor payments upon approval, reconciling ledgers for vendors and customers, and preparing ageing reports.

Compliance duties require assisting with GST, TDS, TCS, Professional Tax, Provident Fund, ESIC, and Labour Welfare Fund requirements, preparing statutory payment challans, reconciling relevant ledgers, and maintaining statutory documentation.

Support is also provided for payroll processes, including managing salary bank transfers, verifying payment statements, recording salary-related journal entries, and reconciling payroll accounts.

Management Information System (MIS) and reporting tasks include generating daily fund position, cash flow, and bank balance reports, producing monthly MIS reports for management, and maintaining detailed banking and payment registers.

Specifically, for real estate accounting, the role entails maintaining RERA-designated bank accounts, monitoring collections and payments on a project basis, recording project expenses and receipts, and aiding in RERA compliance reporting and project fund monitoring.

답변을 원하시면 남겨주세요. 다른 용도로는 사용하지 않습니다.

클릭하여 살펴보세요드래그 앤 드롭 또는 반죽 스크린샷

PNG, JPG, GIF, MP4, WebM, MOV · 파일당 최대 20MB · 최대 5개 파일

🤖
온라인 · 즉각적인 AI 도움말